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CRM Salesforce

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  • 231.940
  • +2.910+1.27%
Close Jun 14 16:00 ET
  • 231.800
  • -0.140-0.06%
Post 19:58 ET
224.75BMarket Cap41.72P/E (TTM)

Salesforce Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Apr 30, 2024
(FY)Jan 31, 2024
(Q4)Jan 31, 2024
(Q3)Oct 31, 2023
(Q2)Jul 31, 2023
(Q1)Apr 30, 2023
(FY)Jan 31, 2023
(Q4)Jan 31, 2023
(Q3)Oct 31, 2022
(Q2)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
39.10%6.25B
43.92%10.23B
22.06%3.4B
389.46%1.53B
141.92%808M
22.17%4.49B
18.52%7.11B
40.67%2.79B
-22.52%313M
-13.47%334M
Net income from continuing operations
670.35%1.53B
1,888.46%4.14B
1,575.51%1.45B
482.86%1.22B
1,763.24%1.27B
610.71%199M
-85.60%208M
-250.00%-98M
-55.13%210M
-87.29%68M
Operating gains losses
-126.24%-37M
15.90%277M
-88.85%35M
413.04%72M
164.44%29M
2,114.29%141M
119.74%239M
1,023.53%314M
93.66%-23M
91.44%-45M
Depreciation and amortization
-29.90%879M
4.57%3.96B
-7.66%953M
-8.40%862M
-1.87%890M
38.41%1.25B
14.80%3.79B
10.85%1.03B
-2.28%941M
26.15%907M
Other non cash items
10.00%517M
15.41%1.93B
12.19%497M
13.95%482M
16.67%476M
19.29%470M
23.74%1.67B
24.44%443M
22.97%423M
22.16%408M
Change In working capital
50.49%2.61B
-37.75%-2.85B
-170.14%-202M
13.46%-1.8B
-38.98%-2.58B
9.63%1.73B
-24.79%-2.07B
4,900.00%288M
-14.34%-2.08B
-40.96%-1.86B
-Change in receivables
16.97%7.16B
33.77%-659M
-1.28%-6.56B
16.77%550M
2.78%-768M
5.48%6.12B
45.45%-995M
-13.32%-6.48B
417.58%471M
2.71%-790M
-Change in prepaid assets
-76.63%-514M
-179.14%-843M
-263.16%-93M
-546.03%-407M
-146.02%-52M
28.85%-291M
-364.91%-302M
-50.43%57M
-133.33%-63M
165.32%113M
-Change in payables and accrued expense
46.19%-755M
-190.53%-478M
-34.85%1.13B
155.66%172M
-215.34%-376M
-14.81%-1.4B
4.14%528M
29.04%1.73B
43.61%-309M
-59.50%326M
-Change in other current liabilities
49.40%-85M
11.16%-621M
-6.52%-147M
19.65%-139M
10.22%-167M
16.83%-168M
12.73%-699M
28.87%-138M
9.42%-173M
7.00%-186M
-Change in other working capital
-26.60%-3.2B
58.57%-249M
6.96%5.47B
1.49%-1.98B
7.81%-1.22B
-5.73%-2.53B
-273.70%-601M
15.01%5.12B
-47.47%-2.01B
-40.81%-1.32B
Cash from discontinued investing activities
Operating cash flow
39.10%6.25B
43.92%10.23B
22.06%3.4B
389.46%1.53B
141.92%808M
22.17%4.49B
18.52%7.11B
40.67%2.79B
-22.52%313M
-13.47%334M
Investing cash flow
Cash flow from continuing investing activities
-863.98%-2.65B
33.28%-1.33B
-250.00%-468M
-110.13%-54M
-205.57%-1.15B
114.12%347M
86.32%-1.99B
121.38%312M
154.61%533M
96.59%-377M
Capital expenditure reported
32.92%-163M
7.77%-736M
32.57%-147M
16.16%-166M
11.33%-180M
-35.75%-243M
-11.30%-798M
-30.54%-218M
-19.28%-198M
4.69%-203M
Net business purchase and sale
---338M
81.32%-82M
--0
---82M
--0
--0
97.05%-439M
--0
--0
99.83%-25M
Net investment purchase and sale
-464.41%-2.15B
32.31%-509M
-160.57%-321M
-73.46%194M
-552.35%-972M
131.65%590M
-171.14%-752M
143.02%530M
194.32%731M
-104.24%-149M
Cash from discontinued investing activities
Investing cash flow
-863.98%-2.65B
33.28%-1.33B
-250.00%-468M
-110.13%-54M
-205.57%-1.15B
114.12%347M
86.32%-1.99B
121.38%312M
154.61%533M
96.59%-377M
Financing cash flow
Cash flow from continuing financing activities
22.39%-2.11B
-109.91%-7.48B
57.41%-946M
-5.18%-1.77B
-1,607.35%-2.05B
-1,451.24%-2.72B
-145.45%-3.56B
-1,194.09%-2.22B
-72.99%-1.68B
-98.39%136M
Net issuance payments of debt
89.20%-120M
-328.13%-1.81B
-73.24%-123M
51.28%-114M
-928.89%-463M
-1,421.92%-1.11B
-106.46%-423M
-26.79%-71M
83.29%-234M
-100.56%-45M
Net common stock issuance
-3.85%-2.13B
-90.50%-7.62B
27.16%-1.69B
-14.79%-1.93B
---1.95B
---2.05B
---4B
---2.32B
---1.68B
--0
Cash dividends paid
---388M
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----
--0
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Proceeds from stock option exercised by employees
18.71%533M
126.95%1.95B
402.31%869M
17.60%274M
100.00%362M
63.87%449M
-33.20%861M
-33.20%173M
-45.81%233M
-51.73%181M
Cash from discontinued financing activities
Financing cash flow
22.39%-2.11B
-109.91%-7.48B
57.41%-946M
-5.18%-1.77B
-1,607.35%-2.05B
-1,451.24%-2.72B
-145.45%-3.56B
-1,194.09%-2.22B
-72.99%-1.68B
-98.39%136M
Net cash flow
Beginning cash position
20.75%8.47B
28.40%7.02B
6.20%6.45B
-2.29%6.77B
33.47%9.16B
28.40%7.02B
-11.80%5.46B
27.84%6.08B
10.03%6.93B
-19.72%6.86B
Current changes in cash
-29.88%1.49B
-8.33%1.43B
126.28%1.99B
65.50%-287M
-2,674.19%-2.39B
49.44%2.12B
323.50%1.56B
21.07%879M
46.04%-832M
104.17%93M
Effect of exchange rate changes
-111.76%-2M
425.00%26M
-50.82%30M
-39.13%-32M
152.38%11M
168.00%17M
75.76%-8M
506.67%61M
-475.00%-23M
-23.53%-21M
End cash Position
8.77%9.96B
20.75%8.47B
20.75%8.47B
6.20%6.45B
-2.29%6.77B
33.47%9.16B
28.40%7.02B
28.40%7.02B
27.84%6.08B
10.03%6.93B
Free cash flow
43.22%6.08B
50.45%9.5B
26.69%3.26B
1,087.83%1.37B
379.39%628M
21.48%4.25B
19.50%6.31B
41.60%2.57B
-51.68%115M
-24.28%131M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Apr 30, 2024(FY)Jan 31, 2024(Q4)Jan 31, 2024(Q3)Oct 31, 2023(Q2)Jul 31, 2023(Q1)Apr 30, 2023(FY)Jan 31, 2023(Q4)Jan 31, 2023(Q3)Oct 31, 2022(Q2)Jul 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 39.10%6.25B43.92%10.23B22.06%3.4B389.46%1.53B141.92%808M22.17%4.49B18.52%7.11B40.67%2.79B-22.52%313M-13.47%334M
Net income from continuing operations 670.35%1.53B1,888.46%4.14B1,575.51%1.45B482.86%1.22B1,763.24%1.27B610.71%199M-85.60%208M-250.00%-98M-55.13%210M-87.29%68M
Operating gains losses -126.24%-37M15.90%277M-88.85%35M413.04%72M164.44%29M2,114.29%141M119.74%239M1,023.53%314M93.66%-23M91.44%-45M
Depreciation and amortization -29.90%879M4.57%3.96B-7.66%953M-8.40%862M-1.87%890M38.41%1.25B14.80%3.79B10.85%1.03B-2.28%941M26.15%907M
Other non cash items 10.00%517M15.41%1.93B12.19%497M13.95%482M16.67%476M19.29%470M23.74%1.67B24.44%443M22.97%423M22.16%408M
Change In working capital 50.49%2.61B-37.75%-2.85B-170.14%-202M13.46%-1.8B-38.98%-2.58B9.63%1.73B-24.79%-2.07B4,900.00%288M-14.34%-2.08B-40.96%-1.86B
-Change in receivables 16.97%7.16B33.77%-659M-1.28%-6.56B16.77%550M2.78%-768M5.48%6.12B45.45%-995M-13.32%-6.48B417.58%471M2.71%-790M
-Change in prepaid assets -76.63%-514M-179.14%-843M-263.16%-93M-546.03%-407M-146.02%-52M28.85%-291M-364.91%-302M-50.43%57M-133.33%-63M165.32%113M
-Change in payables and accrued expense 46.19%-755M-190.53%-478M-34.85%1.13B155.66%172M-215.34%-376M-14.81%-1.4B4.14%528M29.04%1.73B43.61%-309M-59.50%326M
-Change in other current liabilities 49.40%-85M11.16%-621M-6.52%-147M19.65%-139M10.22%-167M16.83%-168M12.73%-699M28.87%-138M9.42%-173M7.00%-186M
-Change in other working capital -26.60%-3.2B58.57%-249M6.96%5.47B1.49%-1.98B7.81%-1.22B-5.73%-2.53B-273.70%-601M15.01%5.12B-47.47%-2.01B-40.81%-1.32B
Cash from discontinued investing activities
Operating cash flow 39.10%6.25B43.92%10.23B22.06%3.4B389.46%1.53B141.92%808M22.17%4.49B18.52%7.11B40.67%2.79B-22.52%313M-13.47%334M
Investing cash flow
Cash flow from continuing investing activities -863.98%-2.65B33.28%-1.33B-250.00%-468M-110.13%-54M-205.57%-1.15B114.12%347M86.32%-1.99B121.38%312M154.61%533M96.59%-377M
Capital expenditure reported 32.92%-163M7.77%-736M32.57%-147M16.16%-166M11.33%-180M-35.75%-243M-11.30%-798M-30.54%-218M-19.28%-198M4.69%-203M
Net business purchase and sale ---338M81.32%-82M--0---82M--0--097.05%-439M--0--099.83%-25M
Net investment purchase and sale -464.41%-2.15B32.31%-509M-160.57%-321M-73.46%194M-552.35%-972M131.65%590M-171.14%-752M143.02%530M194.32%731M-104.24%-149M
Cash from discontinued investing activities
Investing cash flow -863.98%-2.65B33.28%-1.33B-250.00%-468M-110.13%-54M-205.57%-1.15B114.12%347M86.32%-1.99B121.38%312M154.61%533M96.59%-377M
Financing cash flow
Cash flow from continuing financing activities 22.39%-2.11B-109.91%-7.48B57.41%-946M-5.18%-1.77B-1,607.35%-2.05B-1,451.24%-2.72B-145.45%-3.56B-1,194.09%-2.22B-72.99%-1.68B-98.39%136M
Net issuance payments of debt 89.20%-120M-328.13%-1.81B-73.24%-123M51.28%-114M-928.89%-463M-1,421.92%-1.11B-106.46%-423M-26.79%-71M83.29%-234M-100.56%-45M
Net common stock issuance -3.85%-2.13B-90.50%-7.62B27.16%-1.69B-14.79%-1.93B---1.95B---2.05B---4B---2.32B---1.68B--0
Cash dividends paid ---388M------------------0----------------
Proceeds from stock option exercised by employees 18.71%533M126.95%1.95B402.31%869M17.60%274M100.00%362M63.87%449M-33.20%861M-33.20%173M-45.81%233M-51.73%181M
Cash from discontinued financing activities
Financing cash flow 22.39%-2.11B-109.91%-7.48B57.41%-946M-5.18%-1.77B-1,607.35%-2.05B-1,451.24%-2.72B-145.45%-3.56B-1,194.09%-2.22B-72.99%-1.68B-98.39%136M
Net cash flow
Beginning cash position 20.75%8.47B28.40%7.02B6.20%6.45B-2.29%6.77B33.47%9.16B28.40%7.02B-11.80%5.46B27.84%6.08B10.03%6.93B-19.72%6.86B
Current changes in cash -29.88%1.49B-8.33%1.43B126.28%1.99B65.50%-287M-2,674.19%-2.39B49.44%2.12B323.50%1.56B21.07%879M46.04%-832M104.17%93M
Effect of exchange rate changes -111.76%-2M425.00%26M-50.82%30M-39.13%-32M152.38%11M168.00%17M75.76%-8M506.67%61M-475.00%-23M-23.53%-21M
End cash Position 8.77%9.96B20.75%8.47B20.75%8.47B6.20%6.45B-2.29%6.77B33.47%9.16B28.40%7.02B28.40%7.02B27.84%6.08B10.03%6.93B
Free cash flow 43.22%6.08B50.45%9.5B26.69%3.26B1,087.83%1.37B379.39%628M21.48%4.25B19.50%6.31B41.60%2.57B-51.68%115M-24.28%131M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

No Data

Business Data

Remaining performance obligation

No Data

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